1.43 - 1.45
1.18 - 2.36
880.0K / 1.73M (Avg.)
-18.00 | -0.08
Steady, sustainable growth is a hallmark of high-quality businesses. Value investors watch these metrics to confirm that the company's fundamental performance aligns with—or outpaces—its current market valuation.
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-4.68%
Share reduction while 1475.HK is at 0.00%. Joel Greenblatt would see if the company has a better buyback policy than the competitor.
-4.68%
Reduced diluted shares while 1475.HK is at 0.00%. Joel Greenblatt would see a relative advantage if the competitor is diluting more.
4.91%
Dividend growth of 4.91% while 1475.HK is flat. Bruce Berkowitz would see if this can become a bigger advantage long term.
0.00%
OCF growth of 0.00% while 1475.HK is zero. Bruce Berkowitz would see if small gains can expand into a larger competitive lead.
0.00%
FCF growth of 0.00% while 1475.HK is zero. Bruce Berkowitz would see if modest improvements in free cash can accelerate further.
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158.15%
5Y revenue/share CAGR above 1.5x 1475.HK's 38.71%. David Dodd would look for consistent product or market expansions fueling outperformance.
-16.88%
Both firms have negative 3Y CAGR. Martin Whitman would wonder if the entire market segment is in short-term retreat.
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317.78%
OCF/share CAGR of 317.78% while 1475.HK is zero. Bruce Berkowitz would see if modest momentum can translate into a bigger competitive lead.
4104.26%
3Y OCF/share CAGR of 4104.26% while 1475.HK is zero. Bruce Berkowitz might see if small gains can expand into a broader advantage.
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1260.73%
Positive 5Y CAGR while 1475.HK is negative. John Neff might view this as a strong mid-term relative advantage.
190.87%
Positive short-term CAGR while 1475.HK is negative. John Neff would see a clear advantage in near-term profit trajectory.
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120.34%
Dividend/share CAGR of 120.34% while 1475.HK is zero. Bruce Berkowitz sees a minor advantage in stepping up distributions, even modestly.
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